[ X
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Annual
Report Pursuant to Section 15(d) of the Securities Exchange Act of
1934
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For
the Fiscal Year Ended Decembr 31,
2007
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[ ]
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Transition
Report Pursuant to Section 15(d) of the Securities Exchange Act of
1934
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For the transition period from
_______________ to ______________
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Commission File Number: 001-10607
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December
31,
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||||||||
2007
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2006
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|||||||
ASSETS:
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||||||||
Investments,
at fair value:
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||||||||
Pooled
separate accounts
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$ | 46,960,772 | $ | 42,503,847 | ||||
PRIAC
Guaranteed Long-Term Account
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18,611,169 | 18,854,731 | ||||||
Old
Republic International Corporation (ORI) common stock
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4,271,551 | 6,662,510 | ||||||
Participant
loans
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2,176,808 | 1,940,971 | ||||||
72,020,300 | 69,962,059 | |||||||
Contribution
Receivables:
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||||||||
Employer
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- | 32,746 | ||||||
Participants
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- | 114,031 | ||||||
Net
assets available for benefits, at fair value
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72,020,300 | 70,108,836 | ||||||
Adjustment
from fair value to contract value for PRIAC Guaranteed Long-Term Account,
a fully-benefit responsive investment contract
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- | - | ||||||
Net
assets available for benefits
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$ | 72,020,300 | $ | 70,108,836 |
Years
Ended December 31,
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||||||||
2007
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2006
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Additions:
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Contributions:
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Employer
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$ | 4,176,887 | $ | 3,949,373 | ||||
Participants
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2,217,687 | 2,069,320 | ||||||
Rollover
contributions
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352,704 | 274,234 | ||||||
Total
contributions
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6,747,278 | 6,292,927 | ||||||
Investment
Income:
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Net
appreciation of pooled separate accounts
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1,939,493 | 5,440,341 | ||||||
Net
appreciation (depreciation) of ORI common stock
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(2,073,688 | ) | 642,454 | |||||
Interest
from PRIAC Guaranteed Long-Term Account
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696,443 | 651,268 | ||||||
Dividends
from ORI common stock
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168,604 | 171,441 | ||||||
Interest
from participant loans
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167,876 | 111,663 | ||||||
Total
investment income
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898,728 | 7,017,167 | ||||||
Total
additions
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7,646,006 | 13,310,094 | ||||||
Deductions:
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||||||||
Benefits
paid to participants
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(5,728,692 | ) | (2,454,500 | ) | ||||
Administrative
expenses
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(5,850 | ) | (4,900 | ) | ||||
Total
deductions
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(5,734,542 | ) | (2,459,400 | ) | ||||
Net
increase
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1,911,464 | 10,850,694 | ||||||
Net
assets available for benefits:
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Beginning
of year
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70,108,836 | 59,258,142 | ||||||
End
of year
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$ | 72,020,300 | $ | 70,108,836 |
December
31,
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||||||||
2007
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2006
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|||||||
PRIAC
Guaranteed Long-Term Account
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$ | 18,611,169 | $ | 18,854,731 | ||||
PRIAC
Separate Account - Large Cap Value/LSV Asset Management Fund
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9,057,173 | 9,359,019 | ||||||
PRIAC
Separate Account - International Blend/Munder Fund
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7,463,240 | 6,137,836 | ||||||
PRIAC
Separate Account - Alliance/Bernstein Balanced Shares Fund
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5,304,620 | 4,461,650 | ||||||
PRIAC
Separate Account - Dryden S&P 500 Index Fund
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4,936,510 | 4,926,863 | ||||||
PRIAC
Separate Account - Small Cap Value/Integrity Fund
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4,629,222 | 5,166,233 | ||||||
PRIAC
Separate Account - Large Cap Growth/Turner Investment Partners
Fund
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4,360,628 | 3,078,684 | ||||||
Old
Republic International Common Stock Account
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4,271,551 | 6,662,510 |
2007
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2006
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Pooled
Separate Accounts
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$ | 1,939,493 | $ | 5,440,341 | ||||
Old
Republic International Common Stock Account
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(2,073,688 | ) | 642,454 | |||||
$ | (134,195 | ) | $ | 6,082,795 |
2007
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2006
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January
1,
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3.85%
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3.45%
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July
1,
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3.85%
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3.85%
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Average
Yields:
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2007
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2006
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Based
on actual earnings
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3.85%
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3.45%
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Based
on interest rate credited to participants
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3.85%
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3.45%
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(a)
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(b) Identity of Issue
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(c) Description of
Investments
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(d) Cost
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(e)Contract/
Current Value
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*
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PRIAC
- Large Cap Value/LSV Asset Management Fund
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Pooled
separate account
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**
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$9,057,173
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*
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PRIAC
- International Blend/Munder Fund
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Pooled
separate account
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**
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7,463,240
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*
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PRIAC
- Alliance/Bernstein Balanced Shares Fund
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Pooled
separate account
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**
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5,304,620
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*
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PRIAC
- Dryden S&P 500 Index Fund
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Pooled
separate account
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**
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4,936,510
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*
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PRIAC
- Small Cap Value/Integrity Fund
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Pooled
separate account
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**
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4,629,222
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*
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PRIAC
- Large Cap Growth/Turner Investment Partners
Fund
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Pooled
separate account
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**
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4,360,628
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*
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PRIAC
- Mid Cap Growth/Artisan Fund
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Pooled
separate account
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**
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2,254,336
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*
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PRIAC
- Corporate Bond/BSAM Fund
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Pooled
separate account
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**
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2,239,004
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*
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PRIAC
- Small Cap Growth/Times Square Fund
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Pooled
separate account
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**
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1,951,025
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*
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PRIAC
- Mid Cap Value/CRM Fund
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Pooled
separate account
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**
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1,806,971
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*
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PRIAC
- Lifetime Balanced Fund
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Pooled
separate account
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**
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1,272,780
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*
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PRIAC
- Lifetime Conservative Fund
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Pooled
separate account
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**
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587,052
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*
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PRIAC
- Lifetime Growth Fund
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Pooled
separate account
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**
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545,951
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*
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PRIAC
- Lifetime Aggressive Fund
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Pooled
separate account
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**
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521,558
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*
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PRIAC
- Lifetime Income Fund
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Pooled
separate account
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**
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25,880
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*
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PRIAC
- AP Fund
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Pooled
separate account
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**
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4,663
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*
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PRIAC
- LN AP Fund
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Pooled
separate account
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**
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159
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46,960,772
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*
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PRIAC
Guaranteed Long-Term Account
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Guaranteed
investment fund
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**
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18,611,169
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*
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Old
Republic International Common Stock Account
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Common
Stock
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**
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4,271,551
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*
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Participants
Loans
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Loans,
Interest rates range from 8.75% to 9.25% maturing through
2016
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- 0
-
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2,176,808
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$72,020,300
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